Biography
Main responsibilities
Trevor is responsible for the management of all Canadian fixed income strategies at Aviva Investors. Along with his portfolio management responsibilities, Trevor also maintains research coverage of various Canadian sectors.
Experience and qualifications
Trevor has experience both as a credit and equity analyst. He started his career as a sell-side equity analyst covering the pharmaceutical and biotechnology sector. He later worked as a senior analyst at an international hedge fund and a trade credit insurer prior to joining Aviva Investor. Trevor earned his bachelor’s degree in pharmacology from the University of British Columbia and his master’s degree in business administration from McMaster University.
He is a CFA charterholder and holds the certified Financial Risk Manager designation. He is a member of the CFA Society of Toronto.